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The percentage shown for each investment category is the total value of that category as a percentage of the net assets of the Fund. L All or a portion of this security is on loan as of November 30, M Term loans are variable rate obligations. The coupon rate shown represents the rate at period end. Such securities may be resold, normally to qualified institutional buyers, in transactions exempt from registration.
T This position represents an unsettled loan commitment at period end. Certain details associated with this purchase are not known prior to the settlement date, including coupon rate. This investment represents collateral received for securities lending. Y The rate shown is the annualized seven-day yield as of Security valuation. In order to value the securities, the fund uses the following valuation techniques: Equity securities held by the fund are valued at the last sale price or official closing price on the principal securities exchange on which they trade.
In the event there were no sales during the day or closing prices are not available, the securities are valued using the last quoted bid or evaluated price. Investments by the funds in open-end mutual funds, including John Hancock Collateral Investment Trust, are valued at their respective net asset values each business day. Debt obligations are valued based on the evaluated prices provided by an independent pricing service, which utilizes both dealer-supplied and electronic data processing techniques, taking into account factors such as institutional-size trading in similar groups of securities, yield, quality, coupon rate, maturity, type of issue, trading characteristics and other market data.
Certain securities traded only in the over-the-counter market are valued at the last bid price quoted by brokers making markets in the securities at the close of trading. Certain short-term securities with maturities of 60 days or less at the time of purchase are valued at amortized cost. The frequency with which these fair valuation procedures are used cannot be predicted and fair value of securities may differ significantly from the value that would have been used had a ready market for such securities existed.
The fund uses a three-tier hierarchy to prioritize the pricing assumptions, referred to as inputs, used in valuation techniques to measure fair value. Level 1 includes securities valued using quoted prices in active markets for identical securities. Level 2 includes securities valued using other significant observable inputs. Observable inputs may include quoted prices for similar securities, interest rates, prepayment speeds and credit risk. Prices for securities valued using these inputs are received from independent pricing vendors and brokers and are based on an evaluation of the inputs described.
Factors used in determining value may include market or issuer specific events or trends, changes in interest rates and credit quality. The inputs or methodology used for valuing securities are not necessarily an indication of the risks associated with investing in those securities. Changes in valuation techniques may result in transfers into or out of an assigned level within the disclosure hierarchy. Term loans Floating rate loans. The fund may invest in term loans, which often include debt securities that are rated below investment grade at the time of purchase.
Term loans are generally subject to legal or contractual restrictions on resale. The liquidity of term loans, including the volume and frequency of secondary market trading in such loans, varies significantly over time and among individual loans. During periods of infrequent trading, valuing a term loan can be more difficult and buying and selling a term loan at an acceptable price can be more difficult and delayed, which could result in a loss.
A fund may have limited rights to enforce the terms of an underlying loan. For additional information on the funds significant accounting policies, please refer to the funds most recent semiannual or annual shareholder report. A The subadvisor is an affiliate of the advisor. G The portfolio s subadvisor is shown parenthetically. Equity securities, including exchange-traded and closed-end funds, held by the fund are valued at the last sale price or official closing price on the principal securities exchange on which they trade.
Level 1 includes securities valued using quoted prices in active markets for identical securities, including registered investment companies. As of November 30, , all investments are categorized as Level 1 under the hierarchy described above. For additional information on the trust s significant accounting policies, please refer to the trust s, most recent semiannual or annual shareholder report. Natural Resources Fund As of Unaudited. The percentage shown for each investment category is the total value of the category as a percentage of the net assets of the Fund.
L A portion of this security is on loan as of The fund had the following country composition as a percentage of net assets on Investments by the fund in open-end mutual funds, including John Hancock Collateral Investment Trust, are valued at their respective net asset values each business day. Foreign securities and currencies are valued in U. Generally, trading in foreign securities is substantially completed each day at various times prior to the close of trading on the NYSE.
Significant market events that affect the values of foreign securities may occur between the time when the valuation of the securities is generally determined and the close of the NYSE. During significant market events, these securities will be valued at fair value, as determined in good faith, following procedures established by the Board of Trustees. The fund may use a fair valuation model to value certain foreign securities in order to adjust for events that may occur between the close of foreign exchanges and the close of the NYSE.
Repurchase agreements. The fund may enter into repurchase agreements. The collateral amount is marked-to-market and monitored on a daily basis to ensure that the collateral held is in an amount not less than the principal amount of the repurchase agreement plus any accrued interest. Collateral for certain tri-party repurchase agreements is held at a third-party custodian bank in a segregated account for the benefit of the fund.
Upon an event of default, the non-defaulting party may close out all transactions traded under the MRA and net amounts owed. Absent an event of default, the MRA does not result in an offset of the net amounts owed. In the event of a default by the counterparty, realization of the collateral proceeds could be delayed, during which time the collateral value may decline or the counterparty may have insufficient assets to.
The percentage shown for each investment category is the total value of that category as a percentage of the net assets of the fund. Rate shown is the annualized yield at the end of the period. P Variable rate obligation. Q Perpetual bonds have no stated maturity date. Date shown as maturity date is next call date. The fund had the following country concentration as a percentage of net assets on Options listed on an exchange are valued at the mean between the last bid and ask prices from the exchange on which they are principally traded.
For options not listed on an exchange, an independent pricing source is used to value the options at the mean between the last bid and ask prices. Futures contracts are valued at the quoted daily settlement prices established by the exchange on which they trade. Foreign securities and currencies, including forward foreign currency contracts, are valued in U. Certain securities and forward foreign currency contracts traded only in the over-the-counter OTC market are valued at the last bid price quoted by brokers making markets in the securities at the close of trading.
In the event of a default by the counterparty, realization of the collateral proceeds could be delayed, during which time the collateral value may decline or the counterparty may have insufficient assets to pay back claims resulting from close-out of the transactions. Collateral received by the fund for repurchase agreements is disclosed in the Portfolio of investments as part of the caption related to the repurchase agreement.
The fund may have limited rights to enforce the terms of an underlying loan. Derivative Instruments. The fund may invest in derivatives in order to meet its investment objectives. Derivatives include a variety of different instruments that may be traded in the over-the-counter market, on a regulated exchange or through a clearing facility. The risks in using derivatives vary depending upon the structure of the instruments, including the use of leverage, optionality, the liquidity or lack of liquidity of the contract, the creditworthiness of the counterparty or clearing organization and the volatility of the position.
Some derivatives involve risks that are potentially greater than the risks associated with investing directly in the referenced securities or other referenced underlying instrument. Specifically, the fund is exposed to the risk that the counterparty to OTC derivatives contract will be unable or unwilling to make timely settlement payments or otherwise honor its obligations. OTC derivatives transactions typically can only be closed out with the other party to the transaction.
A futures contract is a contractual agreement to buy or sell a particular currency or financial instrument at a pre-determined price in the future. Risks related to the use of futures contracts include possible illiquidity of the futures markets and contract prices that can be highly volatile and imperfectly correlated to movements in the underlying financial instrument.
Use of long futures contracts subjects the funds to the risk of loss up to the notional value of the futures contracts. Use of short futures contracts subjects the fund to unlimited risk of loss. During the period ended November 30, , the fund used futures contracts to manage duration of the fund, gain exposure to foreign currency and substitute for securities purchase. The following table summarizes the contracts held at November 30, Forward foreign currency contracts.
A forward foreign currency contract is an agreement between two parties to buy and sell specific currencies at a price that is set on the date of the contract. The forward contract calls for delivery of the currencies on a future date that is specified in the contract. The market value of a forward foreign currency contract fluctuates with changes in foreign currency exchange rates. Forward foreign currency contracts are marked-to-market daily and the change in value is recorded by the fund as an unrealized gain or loss.
Realized gains or losses, equal to the difference between the value of the contract at the time it was opened and the value at the time it was closed, are recorded upon delivery or receipt of the currency or settlement with the counterparty. During the period ended November 30, , the fund used forward foreign currency contracts to manage against anticipated currency exchange rate changes, gain exposure to foreign currency and substitute for securities purchase or to be purchased.
There are two types of options, put options and call options. Options are traded either over-the-counter or on an exchange. A call option gives the purchaser of the option the right to buy and the seller the obligation to sell the underlying instrument at the exercise price. A put option gives the purchaser of the option the right to sell and the writer the obligation to buy the underlying instrument at the exercise price.
Risks related to the use of options include the loss of premiums, possible illiquidity of the options markets, trading restrictions imposed by an exchange and movements in underlying security values. In addition, over-the-counter options are subject to the risks of all over-the-counter derivatives contracts. During the period ended November 30, , the fund used purchased options and wrote option contracts to manage against anticipated currency exchange rate changes.
Schedule of Investments. Barbara, Ltd.
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Our friend Paul asked if people could take pictures of the procession for remembrance sake. If any of our readers show up and take photos of the procession with all the ambulances please send them in and we will put together a remembrance slide show for Paul and his family. Paul specifically asked for this. His funeral Mass will be celebrated in St. Family and friends are cordially invited. People can send donations for the mission to the Dominican Republic to the "Holy Family Parish Mission", at this address:.
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Our friend Paul asked if people could take pictures of the procession for remembrance sake. If any of our readers show up and take photos of the procession with all the ambulances please send them in and we will put together a remembrance slide show for Paul and his family. Paul specifically asked for this. His funeral Mass will be celebrated in St. Family and friends are cordially invited. People can send donations for the mission to the Dominican Republic to the "Holy Family Parish Mission", at this address:. Enlarge Purchase Photo. Greely Funeral Service were just a few of the hundreds who gathered Friday afternoon to remember Nashua resident Paul Frontiero.
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RailUK Forums. Hello all, I have just been to the booking office at my local station, Beeston, and asked to buy: I m not mentioning that gratuitously but to make the point that it was impossible to get any explanation out of him. The only thing he said was "that isn t what excess fares are for. I can t work out why this should cause any kind of problem. Registered users do not see these banners - join or log in today! Rail Forums. I don t see anything wrong with what you asked for, can t speak for EMT company policy though. Perhaps you should write to EMT and ask them to explain this policy. The National Routeing Guide has this to say: If a higher fare applies for the return leg of the journey the customer should be issued with a ticket for the more direct route and an excess fare issued to cover the difference in fare for the return routeing.
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